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Tags Asset disposition Inv. presentation Quarterly results Accel. buyback Appointed director CC transcript
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NRG ENERGY, INC. (NRG)
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Create: Alert |
All | News | Filings
Date Filed | Type | Description |
08/14/2023 |
8-K
| Regulation FD Disclosure, Other Events, Financial Statements and Exhibits Interactive Data |
08/08/2023 |
8-K
| Quarterly results |
08/01/2023 |
8-K
| Quarterly results |
06/01/2023 |
8-K
| Entry into a Material Definitive Agreement, Regulation FD Disclosure, Financial Statements and Exhibits Inte...
Docs:
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"[CONFIDENTIAL] EQUITY PURCHASE AGREEMENT dated as of May 31, 2023 by and among Constellation Energy Generation, LLC, as Buyer and Texas Genco GP, LLC, Texas Genco LP, LLC, together, Seller",
"NRG Announces $1.75 Billion Asset Sale, Unlocking Significant Shareholder Value; Announces 2023 Investor Day" |
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06/01/2023 |
8-K
| Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers: Compensatory Arrangements... |
03/10/2023 |
8-K
| Asset disposition |
03/02/2023 |
8-K
| Other Events, Financial Statements and Exhibits Interactive Data |
03/01/2023 |
8-K
| Quarterly results |
12/06/2022 |
8-K
| Quarterly results |
12/02/2022 |
8-K
| Quarterly results |
11/07/2022 |
8-K
| Quarterly results |
08/04/2022 |
8-K
| Quarterly results |
07/29/2022 |
8-K
| Entry into a Material Definitive Agreement, Creation of a Direct Financial Obligation or an Obligation under an Off-Balance S...
Docs:
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"Amendment No. 2 to Receivables Loan and Servicing Agreement, among NRG Retail LLC, as Servicer, NRG Receivables LLC, as Borrower, NRG Energy, Inc., as Performance Guarantor, the Conduit Lenders, Committed Lenders, Facility Agents and LC Issuers party thereto, and Royal Bank of Canada, as administrative Agent, and included as Exhibit A-2 thereto a clean, conformed copy of the Receivables Loan and Servicing Agreement",
"Joinder Agreement, by Direct Energy, LP, as an additional originator, and consented to by NRG Receivables LLC, as Borrower, NRG Retail LLC, as Servicer, and Royal Bank of Canada, as administrative agent, to the Receivables Sale Agreement, among the Originators from time to time parties thereto, NRG Retail LLC, as Servicer, and NRG Receivables LLC",
"Joinder Agreement, by Direct Energy Business, LLC, as an additional originator and consented to by NRG Receivables LLC, as Borrower, NRG Retail LLC, as Servicer, and Royal Bank of Canada, as administrative agent, to the Receivables Sale Agreement, among the Originators from time to time parties thereto, NRG Retail LLC, as Servicer, and NRG Receivables LLC" |
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05/06/2022 |
8-K
| Quarterly results |
05/04/2022 |
8-K
| Quarterly results |
04/01/2022 |
8-K
| Departure of Directors or Certain Officers; Election of Directors; Appointment of Certain Officers: Compensatory Arrangements... |
02/24/2022 |
8-K
| Quarterly results |
11/04/2021 |
8-K
| Quarterly results |
08/23/2021 |
8-K
| Quarterly results |
08/09/2021 |
8-K
| Quarterly results |
08/05/2021 |
8-K
| Quarterly results |
05/06/2021 |
8-K
| Quarterly results |
05/06/2021 |
8-K
| Quarterly results |
05/04/2021 |
8-K
| Quarterly results |
03/17/2021 |
8-K
| Quarterly results |
03/01/2021 |
8-K
| Quarterly results |
02/04/2021 |
8-K
| Quarterly results |
01/05/2021 |
8-K
| Quarterly results |
12/04/2020 |
8-K
| Entry into a Material Definitive Agreement, Creation of a Direct Financial Obligation or an Obligation under an Off-Balance S...
Docs:
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"Indenture, between NRG Energy, Inc. and Deutsche Bank Trust Company Americas, as trustee, pertaining to the Secured Notes",
"Supplemental Indenture, among NRG Energy, Inc., the guarantors named therein and Deutsche Bank Trust Company Americas, as trustee, pertaining to the Secured Notes",
"Indenture, between NRG Energy, Inc. and Deutsche Bank Trust Company Americas, as trustee, pertaining to the Unsecured Notes",
"Supplemental Indenture, among NRG Energy, Inc., the guarantors named therein and Deutsche Bank Trust Company Americas, as trustee, pertaining to the Unsecured Notes",
"Facility Agreement, among NRG Energy, Inc., the guarantors party thereto, Alexander Funding Trust and Deutsche Bank Trust Company Americas, as the notes trustee",
"Letter of Credit Facility Agreement, among NRG Energy, Inc., the financial institutions from time to time party thereto as letter of credit issuers, and Deutsche Bank Trust Company Americas, as administrative agent and as collateral agent",
"Amended and Restated Declaration of Trust of Alexander Funding Trust, among NRG Energy, Inc. as depositor and in its own capacity, Deutsche Bank Trust Company Americas, as trustee, and Deutsche Bank Trust Company Delaware, as Delaware trustee",
"Indenture, between NRG Energy, Inc. and Deutsche Bank Trust Company Americas, as trustee, pertaining to the P-Caps Secured Notes",
"Supplemental Indenture, among NRG Energy, Inc., the guarantors named therein and Deutsche Bank Trust Company Americas, as trustee, pertaining to the P-Caps Secured Notes" |
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11/18/2020 |
8-K
| Other Events, Financial Statements and Exhibits Interactive Data
Docs:
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"NRG Energy, Inc. Announces Proposed Offerings of Senior Secured First Lien Notes, Senior Unsecured Notes and Pre-Capitalized Trust Securities PRINCETON, N.J.—November 16, 2020—NRG Energy, Inc. intends to commence concurrent offerings of senior secured first lien notes, consisting of senior secured first lien notes due 2025 and senior secured first lien notes due 2027 , and senior unsecured notes, consisting of senior unsecured notes due 2029 and senior unsecured notes due 2031 . The 2027 Secured Notes are being issued under NRG’ s Sustainability-Linked Bond Framework, which sets out certain sustainability targets, including reducing greenhouse gas emissions. NRG intends to use the net proceeds from the offerings of the Notes , together with cash on hand, to fund the purchase price of the p...",
"NRG Energy, Inc. Announces Pricing of $1.40 Billion of Senior Secured First Lien Notes, $1.53 Billion of Senior Unsecured Notes and $900 Million of Pre-Capitalized Trust Securities PRINCETON, N.J.—November 18, 2020—NRG Energy, Inc. has priced its concurrent offerings of $500,000,000 in aggregate principal amount of 2.000% senior secured first lien notes due 2025 at a price to the public of 99.943% of their face value and $900,000,000 in aggregate principal amount of 2.450% senior secured first lien notes due 2027 at a price to the public of 99.859% of their face value , and $500,000,000 in aggregate principal amount of 3.375% senior unsecured notes due 2029 at a price to the public of 100.000% of their face value and $1,030,000,000 in aggregate principal amount of 3.625% senior unsecured n..." |
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11/13/2020 |
8-K
| Asset disposition |
11/05/2020 |
8-K
| Quarterly results |
10/05/2020 |
8-K
| Quarterly results |
09/24/2020 |
8-K
| Quarterly results |
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